My RIA Lawyer is excited to announce the appointment of Trina L. Glass as Managing Attorney, marking a significant milestone in the firm’s ongoing evolution as a leader in compliance and legal services for financial advisors and investment funds. With unmatched experience in the finance industry, Trina joins the firm from her previous roles as a partner at Stark & Stark and Special Counsel at Duane Morris LLP.
Trina’s impressive background includes advising and representing investment companies, investment advisers, and broker-dealers on matters arising under U.S. federal securities law. Her expertise in regulatory compliance, risk mitigation, and cybersecurity policies positions My RIA Lawyer to better serve its clients and enhance its suite of services.
“We’re breaking down barriers, and we’re not going to stop,” says Leila Shaver, founder of My RIA Lawyer. “Trina embodies the culture we strive for—she’s smart, humble, and always willing to jump in and help. Her diverse skill set and approachable nature make her the kind of leader every business needs on their team. We aim to provide accessible top-tier compliance and general counsel services to firms of all sizes, and Trina’s blend of expertise and kindness will enhance our innovative solutions for financial advisors.”
As My RIA Lawyer continues to build a sophisticated team of legal professionals, Trina’s addition reflects the importance of diversity in leadership, as it brings varied perspectives and solutions to the challenges faced by financial advisors and investment funds. Trina’s leadership will not only enhance the firm’s capabilities but also serve as an inspiration for aspiring professionals from underrepresented backgrounds.
By championing diversity, My RIA Lawyer aims to foster an inclusive environment and build a powerhouse team.
“I am excited to join My RIA Lawyer and be part of a team that is making a significant and meaningful impact in the lives of investment professionals,” Trina stated. “Leila and team are already a powerhouse in the industry and disrupting the curve. My RIA Lawyer is revolutionary in its approach to providing legal counsel and compliance support and I am here for it. Together, we will continue to create innovative solutions and provide efficient services that address the evolving challenges in the financial landscape.”
Her enthusiasm for the firm’s mission is evident, as she aims to make a meaningful impact in the lives of financial advisors and investment funds seeking compliance and legal support.
Financial advisors and investment funds interested in learning more about compliance services can reach out to My RIA Lawyer directly.
About My RIA Lawyer
Based in Alpharetta, My RIA Lawyer is a leading legal and compliance firm dedicated to serving federally registered firms across the U.S. Our mission is to empower financial advisors and firms by providing comprehensive legal and compliance solutions. By handling all compliance and legal needs under one roof, My RIA Lawyer offers a unique value proposition that sets us apart in the industry. Our tailored services are designed to streamline operations, mitigate risk, and boost confidence in the face of regulatory demands. For more information, please visit our website at https://myrialawyer.com and discover how we can be your ally in conquering legal and compliance challenges.